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ABX Barrick Gold Corp

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  • 26.990
  • +0.800+3.05%
15min DelayMarket Closed Aug 16 16:00 ET
47.31BMarket Cap22.95P/E (TTM)

Barrick Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
39.30%1.16B
-2.06%760M
7.21%3.73B
25.41%997M
48.68%1.13B
-9.96%832M
-22.71%776M
-20.49%3.48B
-42.68%795M
-27.81%758M
Net income from continuing operations
26.29%634M
81.04%487M
92.04%1.95B
173.16%597M
42.68%585M
-29.99%502M
-61.90%269M
-69.07%1.02B
-170.83%-816M
-33.01%410M
Operating gains losses
-60.56%-114M
-105.88%-35M
25.63%-499M
-6.02%-370M
62.73%-41M
32.38%-71M
84.11%-17M
-9.46%-671M
-8.72%-349M
-13.40%-110M
Depreciation and amortization
0.00%480M
-4.24%474M
2.30%2.04B
-6.62%564M
10.28%504M
0.84%480M
7.61%495M
-5.00%2B
8.44%604M
-15.06%457M
Asset impairment expenditure
-60.87%9M
210.00%31M
-79.74%352M
-81.33%312M
-81.08%7M
-14.81%23M
400.00%10M
3,574.00%1.74B
11,040.00%1.67B
164.29%37M
Remuneration paid in stock
-16.67%5M
-31.58%13M
20.00%66M
13.04%26M
400.00%15M
200.00%6M
-45.71%19M
-32.10%55M
-42.50%23M
-40.00%3M
Deferred tax
77.27%468M
-15.12%174M
29.67%861M
232.82%174M
1.40%218M
-5.38%264M
-31.89%205M
-50.60%664M
-143.09%-131M
-33.44%215M
Other non cashItems
-89.29%-53M
-203.03%-68M
61.54%-5M
-127.17%-25M
-21.62%-45M
47.17%-28M
540.00%66M
-131.71%-13M
273.58%92M
-152.11%-37M
Change In working capital
439.39%112M
-26.18%-241M
-40.37%-452M
-46.67%-154M
9.62%-47M
2.94%-33M
-45.80%-191M
-17.95%-322M
-28.05%-105M
-189.66%-52M
-Change in receivables
88.10%-10M
550.00%39M
-274.16%-155M
-210.91%-171M
-46.05%41M
-304.88%-84M
-77.78%6M
293.48%89M
-77.42%-55M
461.90%76M
-Change in inventory
1,433.33%40M
61.11%-28M
55.71%-97M
130.23%26M
9.43%-48M
92.50%-3M
-80.00%-72M
-34.36%-219M
-530.00%-86M
26.39%-53M
-Change in payables and accrued expense
28.17%91M
-18.49%-141M
-139.78%-37M
-106.49%-5M
1,700.00%16M
69.05%71M
-376.00%-119M
-33.57%93M
1,825.00%77M
-100.48%-1M
-Change in other current assets
-50.00%-12M
-2,400.00%-100M
44.06%-146M
33.33%-12M
2.82%-69M
88.24%-8M
96.15%-4M
-46.63%-261M
70.00%-18M
-97.22%-71M
-Change in other current liabilities
133.33%3M
-450.00%-11M
29.17%-17M
134.78%8M
533.33%13M
0.00%-9M
-118.18%-2M
7.69%-24M
-53.33%-23M
86.36%-3M
Interest paid (cash flow from operating activities)
-0.77%-131M
-17.39%-27M
1.64%-300M
10.77%-116M
-34.78%-31M
-0.78%-130M
0.00%-23M
-0.66%-305M
1.52%-130M
-27.78%-23M
Interest received (cash flow from operating activities)
-1.96%50M
38.78%68M
166.29%237M
116.22%80M
90.00%57M
325.00%51M
390.00%49M
154.29%89M
--37M
--30M
Tax refund paid
-29.74%-301M
-9.43%-116M
31.68%-524M
9.90%-91M
44.77%-95M
10.77%-232M
54.70%-106M
39.80%-767M
21.09%-101M
62.28%-172M
Cash from discontinued investing activities
Operating cash flow
39.30%1.16B
-2.06%760M
7.21%3.73B
25.41%997M
48.68%1.13B
-9.96%832M
-22.71%776M
-20.49%3.48B
-42.68%795M
-27.81%758M
Investing cash flow
Cash flow from continuing investing activities
5.38%-703M
-10.03%-680M
-64.58%-2.82B
1.79%-766M
-7.82%-689M
-146.84%-743M
-6,966.67%-618M
9.80%-1.71B
-101.55%-780M
-28.06%-639M
Capital expenditure reported
-6.50%-819M
-5.81%-728M
-1.21%-3.09B
3.37%-861M
3.03%-768M
-1.85%-769M
-12.60%-688M
-25.22%-3.05B
-33.18%-891M
-39.19%-792M
Net PPE purchase and sale
133.33%7M
--0
-85.23%13M
-61.54%5M
-96.15%2M
-86.36%3M
200.00%3M
151.43%88M
-7.14%13M
225.00%52M
Net business purchase and sale
---11M
---44M
----
----
----
--0
--0
----
----
----
Net investment purchase and sale
--33M
----
-106.04%-23M
-2,500.00%-26M
--3M
--0
----
928.26%381M
97.83%-1M
--0
Dividends received (cash flow from investment activities)
133.33%42M
-29.85%47M
-68.58%273M
15.15%114M
-26.73%74M
-94.19%18M
-81.34%67M
67.12%869M
-67.65%99M
90.57%101M
Net other investing changes
800.00%45M
--45M
--7M
--2M
----
--5M
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
5.38%-703M
-10.03%-680M
-64.58%-2.82B
1.79%-766M
-7.82%-689M
-146.84%-743M
-6,966.67%-618M
9.80%-1.71B
-101.55%-780M
-28.06%-639M
Financing cash flow
Cash flow from continuing financing activities
-17.15%-362M
-28.51%-284M
53.73%-1.21B
58.04%-342M
49.24%-333M
57.50%-309M
45.57%-221M
-9.05%-2.6B
-6.82%-815M
-1.55%-656M
Net issuance payments of debt
-94.12%1M
-162.50%-10M
104.13%9M
90.14%-28M
200.00%4M
-45.16%17M
-58.97%16M
-347.73%-218M
-3,255.56%-284M
-112.50%-4M
Net common stock issuance
---49M
----
--0
--0
--0
--0
----
43.47%-424M
56.00%-110M
43.60%-141M
Cash dividends paid
-0.57%-175M
0.00%-175M
38.76%-700M
32.57%-176M
50.14%-175M
50.71%-174M
1.69%-175M
-80.28%-1.14B
-64.15%-261M
-122.15%-351M
Net other financing activities
8.55%-139M
-59.68%-99M
37.24%-514M
13.75%-138M
-1.25%-162M
34.48%-152M
76.78%-62M
25.00%-819M
55.92%-160M
40.74%-160M
Cash from discontinued financing activities
Financing cash flow
-17.15%-362M
-28.51%-284M
53.73%-1.21B
58.04%-342M
49.24%-333M
57.50%-309M
45.57%-221M
-9.05%-2.6B
-6.82%-815M
-1.55%-656M
Net cash flow
Beginning cash position
-9.94%3.94B
-6.58%4.15B
-15.91%4.44B
-18.68%4.26B
-28.08%4.16B
-25.65%4.38B
-15.91%4.44B
1.77%5.28B
3.91%5.24B
12.50%5.78B
Current changes in cash
142.73%94M
-223.81%-204M
65.35%-289M
86.13%-111M
119.55%105M
-111.54%-220M
-110.38%-63M
-996.77%-834M
-437.55%-800M
-465.26%-537M
Effect of exchange rate changes
--0
---2M
50.00%-3M
---2M
66.67%-1M
--0
--0
-500.00%-6M
--0
---3M
End cash Position
-2.91%4.04B
-9.94%3.94B
-6.58%4.15B
-6.58%4.15B
-18.68%4.26B
-28.08%4.16B
-25.65%4.38B
-15.91%4.44B
-15.91%4.44B
3.91%5.24B
Free cash from
439.68%340M
-63.64%32M
49.54%646M
241.67%136M
1,155.88%359M
-62.72%63M
-77.61%88M
-77.77%432M
-113.37%-96M
-107.07%-34M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 39.30%1.16B-2.06%760M7.21%3.73B25.41%997M48.68%1.13B-9.96%832M-22.71%776M-20.49%3.48B-42.68%795M-27.81%758M
Net income from continuing operations 26.29%634M81.04%487M92.04%1.95B173.16%597M42.68%585M-29.99%502M-61.90%269M-69.07%1.02B-170.83%-816M-33.01%410M
Operating gains losses -60.56%-114M-105.88%-35M25.63%-499M-6.02%-370M62.73%-41M32.38%-71M84.11%-17M-9.46%-671M-8.72%-349M-13.40%-110M
Depreciation and amortization 0.00%480M-4.24%474M2.30%2.04B-6.62%564M10.28%504M0.84%480M7.61%495M-5.00%2B8.44%604M-15.06%457M
Asset impairment expenditure -60.87%9M210.00%31M-79.74%352M-81.33%312M-81.08%7M-14.81%23M400.00%10M3,574.00%1.74B11,040.00%1.67B164.29%37M
Remuneration paid in stock -16.67%5M-31.58%13M20.00%66M13.04%26M400.00%15M200.00%6M-45.71%19M-32.10%55M-42.50%23M-40.00%3M
Deferred tax 77.27%468M-15.12%174M29.67%861M232.82%174M1.40%218M-5.38%264M-31.89%205M-50.60%664M-143.09%-131M-33.44%215M
Other non cashItems -89.29%-53M-203.03%-68M61.54%-5M-127.17%-25M-21.62%-45M47.17%-28M540.00%66M-131.71%-13M273.58%92M-152.11%-37M
Change In working capital 439.39%112M-26.18%-241M-40.37%-452M-46.67%-154M9.62%-47M2.94%-33M-45.80%-191M-17.95%-322M-28.05%-105M-189.66%-52M
-Change in receivables 88.10%-10M550.00%39M-274.16%-155M-210.91%-171M-46.05%41M-304.88%-84M-77.78%6M293.48%89M-77.42%-55M461.90%76M
-Change in inventory 1,433.33%40M61.11%-28M55.71%-97M130.23%26M9.43%-48M92.50%-3M-80.00%-72M-34.36%-219M-530.00%-86M26.39%-53M
-Change in payables and accrued expense 28.17%91M-18.49%-141M-139.78%-37M-106.49%-5M1,700.00%16M69.05%71M-376.00%-119M-33.57%93M1,825.00%77M-100.48%-1M
-Change in other current assets -50.00%-12M-2,400.00%-100M44.06%-146M33.33%-12M2.82%-69M88.24%-8M96.15%-4M-46.63%-261M70.00%-18M-97.22%-71M
-Change in other current liabilities 133.33%3M-450.00%-11M29.17%-17M134.78%8M533.33%13M0.00%-9M-118.18%-2M7.69%-24M-53.33%-23M86.36%-3M
Interest paid (cash flow from operating activities) -0.77%-131M-17.39%-27M1.64%-300M10.77%-116M-34.78%-31M-0.78%-130M0.00%-23M-0.66%-305M1.52%-130M-27.78%-23M
Interest received (cash flow from operating activities) -1.96%50M38.78%68M166.29%237M116.22%80M90.00%57M325.00%51M390.00%49M154.29%89M--37M--30M
Tax refund paid -29.74%-301M-9.43%-116M31.68%-524M9.90%-91M44.77%-95M10.77%-232M54.70%-106M39.80%-767M21.09%-101M62.28%-172M
Cash from discontinued investing activities
Operating cash flow 39.30%1.16B-2.06%760M7.21%3.73B25.41%997M48.68%1.13B-9.96%832M-22.71%776M-20.49%3.48B-42.68%795M-27.81%758M
Investing cash flow
Cash flow from continuing investing activities 5.38%-703M-10.03%-680M-64.58%-2.82B1.79%-766M-7.82%-689M-146.84%-743M-6,966.67%-618M9.80%-1.71B-101.55%-780M-28.06%-639M
Capital expenditure reported -6.50%-819M-5.81%-728M-1.21%-3.09B3.37%-861M3.03%-768M-1.85%-769M-12.60%-688M-25.22%-3.05B-33.18%-891M-39.19%-792M
Net PPE purchase and sale 133.33%7M--0-85.23%13M-61.54%5M-96.15%2M-86.36%3M200.00%3M151.43%88M-7.14%13M225.00%52M
Net business purchase and sale ---11M---44M--------------0--0------------
Net investment purchase and sale --33M-----106.04%-23M-2,500.00%-26M--3M--0----928.26%381M97.83%-1M--0
Dividends received (cash flow from investment activities) 133.33%42M-29.85%47M-68.58%273M15.15%114M-26.73%74M-94.19%18M-81.34%67M67.12%869M-67.65%99M90.57%101M
Net other investing changes 800.00%45M--45M--7M--2M------5M----------------
Cash from discontinued investing activities
Investing cash flow 5.38%-703M-10.03%-680M-64.58%-2.82B1.79%-766M-7.82%-689M-146.84%-743M-6,966.67%-618M9.80%-1.71B-101.55%-780M-28.06%-639M
Financing cash flow
Cash flow from continuing financing activities -17.15%-362M-28.51%-284M53.73%-1.21B58.04%-342M49.24%-333M57.50%-309M45.57%-221M-9.05%-2.6B-6.82%-815M-1.55%-656M
Net issuance payments of debt -94.12%1M-162.50%-10M104.13%9M90.14%-28M200.00%4M-45.16%17M-58.97%16M-347.73%-218M-3,255.56%-284M-112.50%-4M
Net common stock issuance ---49M------0--0--0--0----43.47%-424M56.00%-110M43.60%-141M
Cash dividends paid -0.57%-175M0.00%-175M38.76%-700M32.57%-176M50.14%-175M50.71%-174M1.69%-175M-80.28%-1.14B-64.15%-261M-122.15%-351M
Net other financing activities 8.55%-139M-59.68%-99M37.24%-514M13.75%-138M-1.25%-162M34.48%-152M76.78%-62M25.00%-819M55.92%-160M40.74%-160M
Cash from discontinued financing activities
Financing cash flow -17.15%-362M-28.51%-284M53.73%-1.21B58.04%-342M49.24%-333M57.50%-309M45.57%-221M-9.05%-2.6B-6.82%-815M-1.55%-656M
Net cash flow
Beginning cash position -9.94%3.94B-6.58%4.15B-15.91%4.44B-18.68%4.26B-28.08%4.16B-25.65%4.38B-15.91%4.44B1.77%5.28B3.91%5.24B12.50%5.78B
Current changes in cash 142.73%94M-223.81%-204M65.35%-289M86.13%-111M119.55%105M-111.54%-220M-110.38%-63M-996.77%-834M-437.55%-800M-465.26%-537M
Effect of exchange rate changes --0---2M50.00%-3M---2M66.67%-1M--0--0-500.00%-6M--0---3M
End cash Position -2.91%4.04B-9.94%3.94B-6.58%4.15B-6.58%4.15B-18.68%4.26B-28.08%4.16B-25.65%4.38B-15.91%4.44B-15.91%4.44B3.91%5.24B
Free cash from 439.68%340M-63.64%32M49.54%646M241.67%136M1,155.88%359M-62.72%63M-77.61%88M-77.77%432M-113.37%-96M-107.07%-34M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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